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JPM Global Dividend A (div) - EUR | ![]() |
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FWW FundStars® | |||
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Bitte beachten Sie die ausführliche Beschreibung zu den FWW FundStars®. | |
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Handelsdaten | ||||||||
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PREIS VORTAG | ![]() |
164,66 | ![]() |
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3 JAHRESHOCH | ![]() |
174,42 € | ![]() |
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JAHRESHOCH SEIT 1.1. | ![]() |
171,32 € | ![]() |
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3 JAHRESTIEF | ![]() |
116,83 € | ![]() |
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JAHRESTIEF SEIT 1.1. | ![]() |
162,18 € | ![]() |
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LETZTE AUSSCHÜTTUNG | ![]() |
1,25 EUR (08.08.23) | ![]() |
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Börsenplätze | |||||||||||||
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BÖRSENPLATZ | ![]() |
KURS DIFF. ABS. / REL. |
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VOLUMEN STÜCKE |
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GELD STÜCKE |
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BRIEF STÜCKE |
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Berlin |
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165,00
EUR
0,00 EUR / 0,00% |
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2.500,15
EUR
15 Stk. |
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165,00 EUR
8 Stk. |
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166,80 EUR
70 Stk. |
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Stuttgart FXplus |
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165,54
EUR
0,54 EUR / 0,33% |
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0,00
EUR
0 Stk. |
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0,00 EUR
0 Stk. |
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0,00 EUR
0 Stk. |
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Düsseldorf |
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164,50
EUR
0,40 EUR / 0,24% |
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0,00
EUR
0 Stk. |
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164,34 EUR
305 Stk. |
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166,81 EUR
300 Stk. |
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München |
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165,27
EUR
0,00 EUR / 0,00% |
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0,00
EUR
0 Stk. |
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164,34 EUR
70 Stk. |
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166,81 EUR
70 Stk. |
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Stuttgart |
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165,72
EUR
1,86 EUR / 1,14% |
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16.687,00
EUR
100 Stk. |
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165,56 EUR
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166,69 EUR
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Kursstellung im Direkthandel (realtime) | |||||||||
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GELD / STÜCKE | ![]() |
BRIEF / STÜCKE | ![]() |
DATUM | ![]() |
UHRZEIT | ![]() |
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Baader
![]() | ![]() | 164,03 EUR 70 Stk. | ![]() | 166,49 EUR 70 Stk. |
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29.09.23 | ![]() |
17:47:06 | ![]() |
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Anlagestrategie Erzielung eines langfristigen Kapitalwachstums durch eine vorwiegende Anlage in Unternehmen weltweit, die hohe und wachsende Erträge erwirtschaften. |
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Fondsinformationen | ||||||||
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ANLAGESCHWERPUNKT | ![]() |
Aktienfonds All Cap | ![]() |
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GARANTIE | ![]() |
Nein | ![]() |
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ANLAGEREGION | ![]() |
Welt | ![]() |
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LAUFZEIT | ![]() |
Nein | ![]() |
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SCHWERPUNKTWÄHRUNG | ![]() |
n.v. | ![]() |
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MINIMUMANLAGE | ![]() |
ca. 1000 EUR | ![]() |
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VOLUMEN | ![]() |
2.765,60 Mio. USD | ![]() |
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BENCHMARK | ![]() |
MSCI All Country World Index (Total Return Net) | ![]() |
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ERTRÄGE | ![]() |
ausschüttend | ![]() |
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SPARPLAN | ![]() |
Ja | ![]() |
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Kosten | ![]() |
Wertentwicklung monatlich | |||||||||||||||||||||||||||||||||||||||||
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Kennzahlen | Wertentwicklung in Fondswährung (BVI-Methode) | |||||||
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VOLATILITÄT (1 JAHR) | ![]() |
10,99% | ![]() |
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SEIT JAHRESBEGINN | ![]() |
5,26% | ![]() |
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SHARP RATIO (1 JAHR) | ![]() |
0,08 | ![]() |
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1 MONAT | ![]() |
-0,75% | ![]() |
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INFORMATION RATIO | ![]() |
0,01 | ![]() |
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3 MONATE | ![]() |
0,30% | ![]() |
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TREYNOR RATIO | ![]() |
1,12% | ![]() |
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6 MONATE | ![]() |
2,73% | ![]() |
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JENSEN´S ALPHA | ![]() |
-0,35% | ![]() |
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1 JAHR | ![]() |
6,42% | ![]() |
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BETAFAKTOR | ![]() |
0,82% | ![]() |
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3 JAHRE | ![]() |
48,13% | ![]() |
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GRÖßTER VERLUST (1 JAHR) | ![]() |
-8,10% | ![]() |
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5 JAHRE | ![]() |
60,80% | ![]() |
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LÄNGSTE VERLUSTPERIODE | ![]() |
5 Monate | ![]() |
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10 JAHRE | ![]() |
154,93% | ![]() |
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Top-Holdings | |||||
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Microsoft | ![]() |
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4,90% | ![]() |
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TAIWAN SEMICONDUCTOR | ![]() |
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3,20% | ![]() |
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CME | ![]() |
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3,00% | ![]() |
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AbbVie | ![]() |
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2,40% | ![]() |
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Bank of America | ![]() |
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2,40% | ![]() |
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ProLogis | ![]() |
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2,40% | ![]() |
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Samsung Electronics | ![]() |
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2,40% | ![]() |
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Unitedhealth | ![]() |
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2,40% | ![]() |
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Chevron | ![]() |
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2,10% | ![]() |
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RELX | ![]() |
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2,10% | ![]() |
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Sektorenverteilung | |||||
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Diverse | ![]() |
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26,10% | ![]() |
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Hardware | ![]() |
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11,10% | ![]() |
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Finanzdienstleistungen | ![]() |
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8,60% | ![]() |
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Pharmazeutik | ![]() |
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8,30% | ![]() |
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Einzelhandel | ![]() |
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8,20% | ![]() |
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Banken | ![]() |
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8,10% | ![]() |
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Software / -dienstleistungen | ![]() |
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7,60% | ![]() |
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Industrie / Investitionsgüter | ![]() |
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6,80% | ![]() |
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Energie | ![]() |
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5,10% | ![]() |
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Versorger | ![]() |
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4,70% | ![]() |
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USA | ![]() |
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54,90% | ![]() |
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Europa | ![]() |
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17,80% | ![]() |
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Emerging Markets | ![]() |
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10,10% | ![]() |
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Großbritannien | ![]() |
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5,70% | ![]() |
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Asien | ![]() |
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5,10% | ![]() |
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Japan | ![]() |
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3,00% | ![]() |
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Kanada | ![]() |
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2,60% | ![]() |
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Kasse | ![]() |
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0,80% | ![]() |
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Besonderheiten | ||||||||
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Valuta Kauf | ![]() |
T+3 | ![]() |
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Valuta Verkauf | ![]() |
T+3 | ![]() |
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Weitere Informationen zu diesem Wertpapier | ||
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Nachrichten | ![]() |
Chartanalyse |
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Hinweis zu den FWW FundStars®
Die FWW FundStars® basieren auf der Risikoadjustierten Performance (RAP). Diese zweidimensionale Kennzahl errechnet sich aus der erzielten Wertentwicklung und dem dabei eingegangenen Risiko (Volatilität) der letzten drei bis fünf Jahre. Monatlich erhalten die besten 20% der Fonds eines Sektors fünf Sterne, die letzten 20% einen Stern. Hinweis: RAP und FWW FundStars® basieren ausschließlich auf Vergangenheitsdaten. Die zukünftige Wertentwicklung eines Fonds kann nicht vorhergesagt werden. Alle Angaben ohne Gewähr. Bitte beachten Sie die ausführliche Beschreibung zu den FWW FundStars® und die Hinweise auf http://fww.de/disclaimer/. |
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Informationen zu den FWW FundStars®![]() |
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